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INVESTMENT SECURITIES (Tables)
3 Months Ended
Mar. 31, 2024
Investment Securities  
Schedule of summary of investment securities

    

At March 31, 2024

    

Gross

    

Gross

    

Amortized

Unrealized

Unrealized

Fair

(dollars in thousands)

Cost

Gains

Losses

Value

Collateralized mortgage obligations

$

15,560

$

21

$

(2,416)

$

13,165

Agency mortgage-backed securities

49,963

(6,253)

43,710

Municipal securities

42,965

1

(9,851)

33,115

U.S. Government agency securities

45,398

(7,953)

37,445

Corporate Securities

1,500

(208)

1,292

Total securities available for sale

$

155,386

$

22

$

(26,681)

$

128,727

    

At December 31, 2023

    

Gross

    

Gross

    

Amortized

Unrealized

Unrealized

Fair

(dollars in thousands)

Cost

Gains

Losses

Value

Collateralized mortgage obligations

$

15,962

$

8

$

(2,309)

$

13,661

Agency mortgage-backed securities

51,930

 

 

(5,816)

 

46,114

Municipal securities

42,990

4

(9,265)

33,729

U.S. Government agency securities

45,406

(7,712)

37,694

Corporate Securities

1,500

(216)

1,284

U.S. Treasury securities

6,999

(54)

6,945

Total securities available for sale

$

164,787

$

12

$

(25,372)

$

139,427

Schedule of gross unrealized losses and fair value, aggregated by investment category and length of time in continuous unrealized loss position

The gross unrealized losses and fair value, aggregated by investment category and length of time that individual securities have been in a continuous unrealized loss position, at March 31, 2024 and December 31, 2023 are as follows:

March 31, 2024

Less than 12 months

12 months or more

Total

Securities available for sale:

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

    

Value

    

Loss

    

Value

    

Loss

    

Value

    

Loss

(dollars in thousands)

Collateralized mortgage obligations

 

$

132

 

$

 

$

11,531

$

(2,416)

 

$

11,663

 

$

(2,416)

Agency mortgage-backed securities

79

43,631

(6,253)

43,710

(6,253)

Municipal securities

1,185

(35)

30,518

(9,816)

31,703

(9,851)

U.S. Government agency securities

37,445

(7,953)

37,445

(7,953)

Corporate Securities

1,292

(208)

1,292

(208)

U.S. Treasury securities

 

$

1,396

 

$

(35)

 

$

124,417

$

(26,646)

 

$

125,813

 

$

(26,681)

December 31, 2023

Less than 12 months

12 months or more

Total

Securities available for sale:

Fair

Unrealized

Fair

Unrealized

Fair

Unrealized

    

Value

    

Loss

    

Value

    

Loss

    

Value

    

Loss

(dollars in thousands)

Collateralized mortgage obligations

 

$

492

$

(1)

$

11,927

$

(2,308)

$

12,419

$

(2,309)

Agency mortgage-backed securities

5

46,109

(5,816)

46,114

(5,816)

Municipal securities

2,978

(39)

28,667

(9,226)

31,645

(9,265)

U.S. Government agency securities

220

(1)

37,474

(7,711)

37,694

(7,712)

Corporate Securities

1,284

(216)

1,284

(216)

U.S. Treasury securities

 

 

6,944

 

(54)

 

6,944

 

(54)

 

$

3,695

 

$

(41)

 

$

132,405

$

(25,331)

 

$

136,100

 

$

(25,372)

Schedule of contractual maturities of investment securities

Shown below are contractual maturities of debt securities at March 31, 2024. Actual maturities may differ from contractual maturities because borrowers have the right to call or prepay obligations with or without call or prepayment penalties.

At March 31, 2024

Amortized

Fair

Yield

(dollars in thousands)

    

Cost

Value

    

(1), (2)

Available for sale securities maturing:

 

 

  

 

  

Within one year

$

15,027

$

14,928

2.54

%

Over one to five years

6,094

5,538

1.57

%

Over five to ten years

 

33,179

 

29,391

 

2.17

%

Over ten years

 

101,086

 

78,870

 

2.39

%

Total debt securities

$

155,386

$

128,727

 

_____________________

(1) Yields are stated as book yields which are adjusted for amortization and accretion of purchase premiums and discounts, respectively.

(2) Yields on tax-exempt obligations are computed on a tax-equivalent basis.